Reporting to the Manager, Group Risk and Compliance, the successful Candidate will be required to provide support to the functions of the Group Risk and Compliance Department to ensure that the company operates in a legal and ethical manner while meeting its business goals.
The Candidate should possess a First Degree in Business Administration, Accounting or equivalent, and have had a minimum of three (3) years’ experience in Compliance, Auditing or equivalent. Legal knowledge would be an asset.
The responsibilities of the Risk & Compliance Officer include (but are not limited to):
SKILLS & ABILITIES
Strong Planning & Organization Skills
Strong analytical and conceptual skills
Strong communication and Interpersonal skills
Ability to prioritize tasks and operate with minimum supervision
Technical, professional and policy writing skills
Excellent Computer Skills (Spreadsheet & Word Processing)
Interviewing and Investigative skills
Detail-oriented
SPECIFIC KNOWLEDGE
Working knowledge of Jamaica Stock Exchange, Jamaica Central Securities Depository and JCSDTS’ Rules & Regulations
In-depth knowledge of the Securities Act and Companies Act
Sound knowledge of the administrative functions of Collective Investment Schemes, including Unit Trust Funds
Suitably qualified candidates are invited to submit applications with detailed resume, no later than October 25, 2024
We thank all applicants for their interest, however only shortlisted candidates will be contacted.